Book by Burger Markus Graeber Bernhard Schindlmayr Gero
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Mathematical techniques for trading and risk management. Managing Energy Risk closes the gap between modern techniques from financial mathematics and the practical implementation for trading and risk management. It takes a multi-commodity approach that covers the mutual influences of the markets for fuels, emission certificates, and power. It includes many practical examples and covers methods from financial mathematics as well as economics and energy-related models.Klappentext:
Managing energy risk is a practical guide to using modern techniques in financial mathematics for trading energy.
Taking a multi-commodity view on the energy markets, addressing electricity, oil, gas, coal and CO2 emissions and explaining their fundamental relations, this book is a comprehensive overview of the energy markets and their products explaining models for pricing, portfolio optimization, risk measurement and market analysis.
By integrating energy economics approaches, including fundamental market models, with financial engineering approaches commonly used in banks and other trading companies, Managing Energy Risk is valuable resource, relevant for risk management, structuring, pricing, market analysis, and model development.
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Buchbeschreibung Wiley John & Sons Okt 2007, 2007. Buch. Buchzustand: Neu. 254x198x15 mm. Neuware - Managing energy risk is a practical guide to using modern techniques in financial mathematics for trading energy. 316 pp. Englisch. Artikel-Nr. 9780470029626